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Andy Constan on Fed Policy and Bond Market Myths: Macro Matters

FICC Focus

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Liquidity Insights and Market Dynamics

This chapter explores the implications of the Bank of Canada's financial stability report, focusing on hedge funds' influence on the bond market and the Federal Reserve's cautious monetary policy stance. It delves into the complexities of market liquidity, particularly in the Treasury market, and dispels common misconceptions about cash reserves and asset pricing. The discussion also highlights the challenges faced by the insurance industry regarding portfolio diversification and the resulting impact on bond market behavior.

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